Finance The Week That Was

Weekly Financial Review

Global Stock Market Review: Week Ending March 28, 2025

The week ending March 28, 2025, presented a largely challenging landscape for global stock markets. A confluence of factors, most notably escalating concerns over inflation and the potential destabilising effects of newly announced trade tariffs by the United States, contributed to a prevailing negative trend across major indices. Fears of a slowdown in global economic growth, exacerbated by an ongoing trade war, further dampened investor sentiment. While the overarching theme was one of caution and decline, certain regional markets demonstrated pockets of resilience, hinting at underlying strengths or unique local factors at play.

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Global Stock Market Review: Week Ending March 28, 2025

Global Stock Market Performance: Week Ending March 21, 2025

The week ending March 21, 2025, witnessed a period of generally positive momentum across global stock markets, particularly in regions that had experienced recent corrections. While uncertainties surrounding US economic policies, especially tariffs and geopolitical tensions lingered, several markets managed to rebound, driven by specific regional factors and company news. This report provides a detailed summary of the performance of major stock market indices in the USA, Europe, Asia, India, and Oceania, along with an analysis of the key events and news that influenced trading during this period.

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Global Stock Market Review: Week Ending March 28, 2025

Week Ending March 14, 2025: Global Stock Markets Grapple with Tariff Concerns Amid Mixed Performance

Global stock markets experienced a week of volatility ending on March 14, 2025, largely shaped by escalating trade tensions arising from US tariff policies. Performance across different regions presented a mixed picture. The United States, Europe, and Australia generally saw weekly losses, despite a significant rally in the US on Friday. In contrast, Asian markets exhibited more varied results, with some indices registering gains. A notable trend during the week was the substantial increase in gold prices, as investors sought the safety of this asset amidst growing economic uncertainty. Overall market sentiment was significantly influenced by concerns surrounding inflation and the potential for an economic slowdown, further exacerbated by policy-related anxieties.

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Global Stock Market Review: Week Ending March 28, 2025

Global Stock Market Review: Week Ending March 7th, 2025

The week ending March 7th, 2025, was a turbulent one for stock markets across the globe. Uncertainty surrounding U.S. trade policy, coupled with concerns about a potential economic slowdown, led to significant volatility in major indices. The S&P 500 had its biggest weekly loss since September 1. Let\’s take a closer look at the performance of key markets in the USA, Europe, Asia, India, and Oceania.

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Global Stock Market Review: Week Ending March 28, 2025

Global Stock Market Review – Week Ending 21st February 2025

The week ending 21 February 2025 proved turbulent for stock markets worldwide, with significant fluctuations and mixed performances across different regions. This article provides a comprehensive summary of the major stock market movements in the USA, Europe, Asia, India, and Oceania, highlighting key trends, influencing factors, and expert opinions.

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